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BC 1979 06 22
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BC 1979 06 22
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Last modified
4/30/2002 3:01:55 PM
Creation date
11/27/2017 12:32:16 PM
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Meeting Minutes
Doc Type
Minutes
Meeting Minutes - Date
6/22/1979
Board
Board of Commissioners
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317 <br /> <br /> B. The following amounts are hereby appropriated in the Capital Projects <br />Renovation Fund. <br /> <br />Building "B" <br />Ambulance Building <br />School Bond Capital Outlay <br /> <br />$ 423,220.00 <br /> 201,000.00 <br /> 2,941,628.00 <br /> <br />TOTAL EXPENDITURES <br /> <br />$ 3,565,848.00 <br /> <br />Section IV. Capital Projects Fund <br /> <br /> A. It is estimated that the following revenues will be available in the <br />Capital Projects Fund for the fiscal year beginning July 1, 1979, and ending <br />June 30, 1980. <br /> <br />Contribution from Revenue Sharing <br /> Trust Fund <br />Contribution from General Fund <br />Interest Earned on Investments <br /> <br />280,000.00 <br /> <br /> 74,000.00 <br /> 200.OO <br /> <br />TOTAL REVENUES <br /> <br />$ 354,200.00 <br /> <br /> B. The following amounts are hereby appropriated in the Capital Projects <br />Fund for the following projects. <br /> <br />Soil Survey <br />Wastewater Treatment Plant <br />Landfill Property Purchase <br /> <br /> 12,000.00 <br />162,200.00 <br />180,000.00 <br /> <br />TOTAL EXPENDITURES <br /> <br />$ 354,200.00 <br /> <br />Section V. Revaluation Fund <br /> <br /> A. It is estimated that the following revenues will be available in the <br />Revaluation Fund for the fiscal year beginning July 1, 1979, and ending June <br />30, 1980. <br /> <br />Interest Earned on Investments <br />Contribution from General Fund <br />Fund Balance Appropriated' <br /> <br /> 20,800.00 <br /> 50,000.00 <br />200,000.00 <br /> <br />TOTAL REVENUES <br /> <br />$ 270,800.00 <br /> <br /> B. The following amounts are hereby appropriated to the Revaluation Fund <br />to provide for an octennial reappraisal. <br /> <br />Contracted Services-Revaluation <br />Capital Reserve - Revaluation <br /> <br />$ 2,200.00 <br /> 268,600.00 <br /> <br />TOTAL EXPENDITURES <br /> <br />$ 270,800.00 <br /> <br />Section VI. Debt Service Fund <br /> <br /> A. It is estimated that the following revenues will be available in the <br />Debt Service Fund for the fiscal year beginning July 1, 1979, and ending June <br />30, 1980. <br /> <br />Contribution from General Fund <br /> <br />$ 1,071,553.00 <br /> <br /> B. The following amounts are hereby appropriated in the Debt Service Fund <br />for the payment of principal and interest on the outstanding debt of the county, <br />and the ~expense relating thereto for the fiscal year beginning July 11, '1979, and <br />ending June 30, 1980. <br /> <br />Bond Principal <br />Bond Interest <br />Bank Service Charges <br />Expenses Incurred in Bond Sale <br /> <br />660,000.00 <br />390,053.00 <br /> 1,500.00 <br /> 20,000~00 <br /> <br />TOTAL EXPENDITURES $ 1,071,553.00 <br /> <br /> <br />
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